You are about to exit signetglobal.com

Background pattern

Protos Multi-Strategy

Providing high-quality profits, leveraging sophisticated investment strategies including AI-managed exposure that aim to provide not only robust returns, but also ensure the stability and sustainability of those returns over the long term. The Fund is not launched yet and is in the process of raising seed capital. The returns presented are based on the back tested results.

Overview

We offer a systematic, three-layered investment process: stocks are selected using a high-quality momentum strategy, equity exposure is managed through our AI Module, and returns are enhanced using our behavioural strategies. We actively manage risk and frequently rebalance the portfolio to maintain optimal allocations. Through this integrated, dynamic approach, our fund is equipped to navigate varying market conditions, providing investors with an opportunity for consistent growth and a resilience against market volatility.

Signet Protos Fund 

Providing high-quality profits, leveraging sophisticated investment strategies including AI-managed exposure that aim to provide n

Documents

By continuing, you confirm you have read and agree to the specified Policies and Legal Frameworks.

Meet the team

Evgeny Shatrov
Evgeny Shatrov Head of Trading

Evgeny joined the company in December 2020. He has over 15 years of experience in financial markets. For the last 7 years Evgeny worked as a senior equity and equity derivatives trader at Sberbank CIB in Moscow, Nicosia and London facilitating clients' flow and managing prop book of the desk. From 2009 - 2013 Evgeny worked as equity trader at Morgan Stanley bank, covering Russia and CIS markets. In 2006 - 2009 Evgeny was the Portfolio manager at Renaissance Insurance group and Uralsib Asset management. Evgeny holds PhD from Institute of World Economy and International Relations (RAoS), BSc in Financial management from International University in Moscow and BA in International Business and Spanish from Washington & Jefferson College.

Maksim Semianin
Maksim Semianin Quantitative Strategy

Maksim Semianin has over 10 years of experience in asset management. Joined Signet in 2020.
Previously has been a Director of Investment Management Department at SOLID Management, prior to
which he was a Portfolio Manager at the same company since 2012 and was responsible for Mutual and
Pension Funds, algorithmic trading strategies. Maksim graduated from the Financial Academy under
the Government of the Russian Federation with a degree in Mathematical Methods in Economics.